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Letter of credit process in Export...Previous Enter
the details:
In Partner Data Tab & General Data Customer:
11157 Ship-to
party:
11157 Bank
Country:
LK (Sri Lanka) (Identifies the country in which the
bank is located) Bank
Key:
12311 (Bank of Sri Lanka) (In this field, you specify
the bank key under which bank data from the respective country is stored) Ext.
Financial Document number:
12345 (Indicates the number of a financial document
which is generally assigned by the bank) Financial
doc. Value:
20,375.00 (this is imp) (Value of the financial
document) Letter.-of-credit
currency:
USD Allowed
overdraft %:
10% (Allowed overdraft percentage) Terms
of Payment: Z001
(Key for defining payment terms composed of cash discount percentages and
payment periods) Press
enter Click
on Dates / Delivery dates Tab: Date/Delivery
Tab
Enter
Request date:
26.07.2010 (Identifies the date on which the financial
document has been requested) Date
of receipt:
26.07.2010 (Identifies the date on which the financial
document has been received) Latest
shipping date:
28.07.2010 (Identifies the latest possible shipping
date) Validity
end date:
21.09.2010 (Identifies the validity end date of a
financial document) Opening
date:
22.06.2010 (Identifies the date on which the financial
document has been opened. Bank) Last
date ocean BOL:
06.09.2010 (Identifies the latest possible date of the
ocean bill of lading) Presentation
date:
15.08.2010 (Identifies the date on which the documents
must be presented to the bank) Number
of days:
120 Days (If the goods are delivered before the
planned deadline, there is a time limit within which the documents have to be
presented at the bank. If this time limit is exceeded, the financial document
expires although the date specified in the Presentation
Date field has not been reached) Incoterms:
EXW – RAJAHMUNDRY
& PRESS Enter Click
on Documents
Tab Documents
tab:
List
of documents configured will be displayed. Enter the number of originals
& copies sent and mark the status as 'Completed'. Click
on BANK Tab Banks
& Text tab
No
mandatory information is required The
details which you maintained in the GENERAL
DATA Tab all the details are automatically come to here. If you want the
other bank details like Negation bank or conformation bank or notifying banks,
then click on it and the click on Bank
Data button and maintain all required fields data. If
you want to maintain any text times then you can writ it in the TEXT
Tab Then
click on Status
Tab This
Status Place a Vital role during Sale Order creation as well as Letter Of credit
creation 1. Maintain
the Date and time of creation and if you want you can maintain the description 2. To
use the Financial document in Sales order Click on D
Switch
3.
Then
maintain date and time in the D field
Then
Click on
You
have to get the STATUS as GREEN color
Then
Save
Then
Press Enter And
Click on
You
will be getting the Financial Document number at the bottom
Then
maintain this financial document number in the Sales order >> Header Data
>> Billing document Tab >> financial doc Number: 41
And
maintain the % of Depreciation: Then
click on
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